Net position changes between two of this fund's N-PORT
snapshots. These are differences between point-in-time reports — not a
trade log — and share counts can be affected by splits and other corporate
actions.
Oct 31, 2025 → Jan 31, 2026
Expand a category to
see the positions behind it, ranked by weight.
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
INSMED INC
0
270,335
270,335
0.96%
$42.41M
BWX TECHNOLOGIES INC
0
168,598
168,598
0.78%
$34.64M
JAZZ PHARMA PLC
0
203,213
203,213
0.76%
$33.43M
TERADYNE INC
0
98,639
98,639
0.54%
$23.78M
KLA CORP
0
15,916
15,916
0.51%
$22.73M
OLD DOMINION FRT
0
126,083
126,083
0.49%
$21.84M
PURE STORAGE INC CL A
0
310,470
310,470
0.49%
$21.59M
CELESTICA INC SUB VTG
0
74,998
74,998
0.48%
$21.07M
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
SERVICENOW INC
55,118
0
-55,118
0.00%
-$50.67M
TYLER TECHNOLOGIES INC
70,055
0
-70,055
0.00%
-$33.36M
PINTEREST INC CL A
794,782
0
-794,782
0.00%
-$26.31M
HUBSPOT INC
49,907
0
-49,907
0.00%
-$24.55M
COSTAR GROUP INC
344,830
0
-344,830
0.00%
-$23.73M
T-MOBILE US INC
100,124
0
-100,124
0.00%
-$21.03M
BELLRING BRANDS INC
671,117
0
-671,117
0.00%
-$20.22M
MERCADOLIBRE INC
4,890
0
-4,890
0.00%
-$11.38M
Tanium, Inc., Series G
805,800
0
-805,800
0.00%
-$5.52M
NAVAN INC-CL A
184,983
0
-184,983
0.00%
-$3.75M
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
ALPHABET INC CL C
600,705
669,462
68,757
5.13%
$57.34M
TESLA INC
248,428
303,763
55,335
2.96%
$17.32M
CASEY'S GENERAL
42,711
115,652
72,941
1.59%
$48.22M
CURTISS WRIGHT CORPORATION
42,535
83,386
40,851
1.24%
$29.42M
ARISTA NETWORKS INC
319,919
351,009
31,090
1.13%
-$696.01K
NETFLIX INC
94,491
571,680
477,189
1.08%
-$57.99M
DOORDASH INC-A
175,208
205,632
30,424
0.95%
-$2.49M
CARVANA CO CL A
34,622
90,366
55,744
0.82%
$25.63M
REPLIGEN CORP
74,452
213,219
138,767
0.72%
$20.75M
Franklin Institutional U.S. Government Money Market Fund
8,796,500
20,432,650
11,636,150
0.46%
$11.64M
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
NVIDIA CORP
2,399,364
2,310,569
-88,795
9.99%
-$44.23M
MICROSOFT CORP
626,269
560,747
-65,522
5.46%
-$83.00M
BROADCOM INC
790,413
715,864
-74,549
5.36%
-$54.99M
AMAZON.COM INC
1,004,550
974,686
-29,864
5.28%
-$12.09M
META PLATFORMS INC CL A
415,513
283,248
-132,265
4.59%
-$66.45M
MASTERCARD INC CL A
214,950
169,506
-45,444
2.07%
-$27.32M
TRANE TECHNOLOGIES PLC
139,912
110,655
-29,257
1.05%
-$16.23M
AXON ENTERPRISE INC
99,766
80,066
-19,700
0.88%
-$34.33M
APPLOVIN CORP
111,360
81,465
-29,895
0.87%
-$32.43M
LINDE PLC
103,919
80,837
-23,082
0.84%
-$6.53M
S&P GLOBAL INC
73,922
67,706
-6,216
0.81%
-$280.99K
ADV MICRO DEVICE
188,285
149,386
-38,899
0.80%
-$12.86M
Franklin Institutional US Government Money Market Fund